Risk & Finance Resume Samples
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Risk & Finance Resume Samples
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EK
E Kovacek
Estel
Kovacek
29575 Hammes Road
Boston
MA
+1 (555) 884 0391
29575 Hammes Road
Boston
MA
Phone
p
+1 (555) 884 0391
Experience
Experience
Boston, MA
Risk & Finance
Boston, MA
Schuppe, Huel and Heller
Boston, MA
Risk & Finance
- Provide management oversight of multiple development teams in all phases of the SDLC to ensure successful and on-time delivery
- Create technical design recommendations for developing and integrating programs per written specifications
- Perform unit testing and system integration testing of the newly developed functionality
- Develop and manage detailed Project plans and scorecards
- Provide ongoing continuous monitoring and relationship management
- Conduct annual performance appraisals for the team and provide ongoing feedback
- Assist Plan Manager with PMO responsibilities, Project estimation and costing
Phoenix, AZ
Credit Risk Finance Manager
Phoenix, AZ
Koch-Russel
Phoenix, AZ
Credit Risk Finance Manager
- Maintain a positive work environment that supports a quality driven team, identifying and solving issues that may inhibit individual or team performance
- Partner with internal leaders, customers and/or vendors to provide excellent service and improve on financial outcomes across the enterprise
- Produce clear, well-formatted reports that communicate a comprehensive and compelling message about the status of our work and our clients
- Lead and drive collection strategies to resolve outstanding debt, providing comprehensive oversight of workouts, legal accounts and bankruptcies within a strong scope of compliance
- Assess the financial health and credit-worthiness of potential clients. Oversee team performance. Sustain collaborative relationships with key internal and external partners
- Interface with business leaders and build relationships in support of financial planning and performance measurement including reporting and analysis
- Leverage technology and carry out process improvement activities
present
Chicago, IL
Accounting Manager, Risk Finance
Chicago, IL
McGlynn Inc
present
Chicago, IL
Accounting Manager, Risk Finance
present
- Coordinate periodic maintenance billing for units entering and/or exiting the various programs in the middle of a policy year
- Develop and review documentation of current accounting policies and procedures and initiate possible updates or improvements
- Own and drive resolution of complex, non-routine business requests
- Partner with the Insurance and Claims functions to document major property insurance events including the development of tracking schedules to accurately monitor the status of property loss reimbursements from insurers
- Manage the accounting activities of Marriott’s global casualty insurance programs, including multiple insurance allocations and accident chargeback mechanisms to ensure that program funding is accurately captured and recorded
- Manage cash management activities for Marriott’s procured insurance programs, including the administration of $100M in annual casualty insurance claim payments, recording and reconciling third party claim payments, and coordination of all wire transfer activity
- Maintain a strong internal control environment and ensure all accounts are reconciled timely and accurately
Education
Education
Bachelor’s Degree in Related Technical
Bachelor’s Degree in Related Technical
Loyola Marymount University
Bachelor’s Degree in Related Technical
Skills
Skills
- Hold entire team accountable for meeting deliverables, adhering to Quality Assurance criteria and utilizing consistent methodology
- Combine knowledge of technology activities within Risk & Finance and across the firm to recommend best practice solutions to issues and controls
- Establish strong relationships with senior technology leaders and related control groups
- Knowledge of version and revision control practices and procedures
- Drive plan creation and changes based on changing business risk profile
- Credit Risk/Product (Derivatives, F&O, Securities) business knowledge is
- Provide direction to the team regarding scope and execution
- Set aggressive standards for efficient management of resources, schedules and budgets
- Build and maintain key relationships with stakeholders, establishing a culture of engagement while adding value
- Finalize audit findings and use judgment to provide an overall opinion on the control environment
15 Risk & Finance resume templates
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1
Risk & Finance Resume Examples & Samples
- Identify, assess and document business requirements, recommend business priorities, and advise business on options, risks and costs
- Develop use cases to explain & demonstrate business and functional requirements specifications to technology team
- Assist Quality Management team to ensure that requirements documentation accurately translate into test plans and test cases
- Provide relevant test scenarios to ensure that testing results correspond to the business expectations
- 3-5 years in Business Analysis and Project Management
- 3+ years of professional software development experience, preferably in financial services
- A technical degree (preferably computer science)
- Ability to clearly communicate, both verbally and in writing
- Ability to clearly and succinctly articulate the business case for a system enhancement
- Fluency with key OO languages (preferably Java or similar) and RDBMS’s (preferably Oracle, including experience with PL/SQL, query tuning, and very large data sets)
- Team player who openly shares knowledge for the benefit of the entire team
- Understanding of Credit Risk is a plus
2
Risk & Finance IT Workforce Analyst Resume Examples & Samples
- Maintenance of the R&F IT workforce tracker – ensure data is accurate & up to date. A new process to also include a forecasted view needs to be established and integrated into this from Jan 2015
- Headcount reporting – we are developing a self-service tool which will allow our senior management to extract headcount data as required – you will be responsible for ensuring this is correct & up to date
- Update management packs displaying headcount data and provide commentary on movements
- Update our monthly performance dashboard with headcount information
- Coordinate hiring within R&F IT Poland – ensure the correct approvals are gathered and the correct information is submitted
- Reconcile HR reports to our data to identify errors and provide feedback – e.g.: recruitment report – and ensure a high level of data quality
- Review aging hires in our hiring pipeline and drive to reduce them
- Support for R&F IT workforce strategy team – provide data & analysis to the workforce strategy lead to support strategic initiatives
- 1 or 2 years in an international & complex organization
- Proven track record of dealing with multiple stakeholders
- Ability to prioritize and recognize escalation points
- Good MS Excel skills (pivots, conditional formulas, look ups etc)
- Good PowerPoint skills
3
Risk & Finance Resume Examples & Samples
- Partner with Business Auditor to deliver the global Audit plan
- Oversee multiple audit engagements
- Establish strong relationships with senior technology leaders and related control groups
- Work with stakeholders in a consulting role to add value and address unresolved issues
- Articulate complex issues and themes to senior level stakeholders
- Listen attentively to influence and coach others
- Hold entire team accountable for meeting deliverables, adhering to Quality Assurance criteria and utilizing consistent methodology
- Set aggressive standards for efficient management of resources, schedules and budgets
- Provide direction to the team regarding scope and execution
- Drive plan creation and changes based on changing business risk profile
- Combine knowledge of technology activities within Risk & Finance and across the firm to recommend best practice solutions to issues and controls
- Conduct annual performance appraisals for the team and provide ongoing feedback
- Provide leadership to the team, including active coaching of less experienced auditors
- Provide ongoing continuous monitoring and relationship management
- Monitor key risk indicators, significant change activities and escalation of emerging issues to senior management in a timely fashion
- Stay up-to-date with evolving technology and regulatory changes impacting the business
- Experienced senior IT professional with a proven Financial Services track record, with more than 10 years experience in combinations of successful application development, technology operations management or technology audit
- Extensive experience and demonstrated success in understanding and evaluating infrastructure, data management and application controls
- Extensive, practical, working knowledge of the data management, development lifecycle and project and program management concepts and controls
- Solid understanding of internal control concepts with strong analytical skills
- Excellent communication and interpersonal skills required with ability to present complex and sensitive issues to senior management
- Ability to effectively manage and develop multi- location teams
- Enthusiastic, self motivated, effective under pressure and willing to take personal responsibility/accountability
- Certified Information Systems Auditor accreditation preferred
- Ability to travel (10- 15%)
- JPMorgan Chase is an Equal Opportunity and Affirmative Action Employer, M/F/Disability/Veteran
4
Risk & Finance Resume Examples & Samples
- Work closely with business analysts, quantitative research team, and business users to interpret the requirements and evaluate alternative solutions
- Create technical design recommendations for developing and integrating programs per written specifications
- Perform unit testing and system integration testing of the newly developed functionality
- Examine applications to ensure adherence to Application Engineering guidelines, processes, and procedures
- Implement and test modifications to existing application modules in accordance with application support and industry standard
- Strong teamwork skills and ability to work independently
- 5+ years of overall software development experience. Python experience preferred; otherwise solid experience in C++, Java, or other OO language
- 5+ years of experience with PL SQL
- Credit Risk/Product (Derivatives, F&O, Securities) business knowledge is a plus
5
Risk & Finance Resume Examples & Samples
- Work closely with Market Risk Coverage, VaR Methodology and Development, Middle Office and other technology teams to review, redesign, and enhance the production and reporting of market data metrics
- Work with External Risk Reporting to understand the how new or modified requests from regulators translate into sourcing, processing, and reporting requirements
- Clearly understand and document the purpose and success criteria for any calculations produced by Market Risk
- Provide management oversight of multiple development teams in all phases of the SDLC to ensure successful and on-time delivery
- Facilitate key requirements discussions to ensure that desired functionality is balanced with the current and future technological capabilities of Market Risk Technology
- Ensure that the required functionality is implemented effectively to serve the needs of business stakeholders and senior bank management
- People Management, collaboration - ability to build relationships across business groups and technology organizations
- Experience in at least one of the following areas: Market Risk, Credit Risk, Capital Markets Products (Credit, Mortgages, Rates, FX, Equities, Commodities), Basel III
- Proven ability to partner and influence across the broader technology organization
- Ability and desire to learn quickly
- Ability to communicate complex concepts effectively depending on the audience
- Understanding of the software development lifecycle
6
Lead for Risk & Finance Data Lineage Team Resume Examples & Samples
- Set up a new team to perform data lineage analysis for risk and finance reports across the risk and finance processes and infrastructure
- Ensure that all stakeholders are clear of the scope, approach, benefits and timelines of the data lineage work
- Resolve or (where appropriate) escalate issues and risks and ensure that appropriate corrective action are taken
- Establish credibility with all levels of the bank for the work that is being delivered
7
VP Risk & Finance Data Lineage Team Resume Examples & Samples
- Define/ refine the data lineage approach and obtain buy in from relevant internal/ external stakeholders (auditors, regulators)
- Execute and/or manage the progress of the work against quality standards, targets and budgets
- Take responsibility for quality assurance of the work delivered by the team
8
Risk & Finance Techology Senior Auditor Resume Examples & Samples
- Perform audit work in accordance with department and professional standards, and complete assignments in an efficient manner
- Write audit work papers and reports with minimal intervention by the Audit manager
- Bachelor's degree in Technology or Finance with at least 4+ years of internal or external auditing experience, with a good level of technology background
- Knowledge of system development life cycle concepts with an ability to quickly learn a complex, distributed computing environment
- Solid understanding of internal control concepts with the ability to evaluate and determine the adequacy of controls by considering business and technology risks in an integrated manner
- Knowledge of distributed technologies considered a plus along with a good understanding of controls related to operating system and database platforms
- Experience in planning and executing audits in accordance with professional standards
- Ability to quickly build strong partnerships amongst technology and business Audit teams and internal stakeholders. Acts in an integrated manner and demonstrates a proactive and engaging approach during audit planning, execution and reporting
9
Operational Risk-finance Resume Examples & Samples
- 6 months rolling contract paying £550 per day
- Maintain and enhance the group finance processes and controls
- Assess adequacy and test the operational effectiveness of controls in line with the group's operational risk approach for data aggregation and submission processes
- Assess and implement the group's management framework for data quality and provide to information management committee
- Support the group finance work streams in the remediation phase for data aggregation and reporting requirements
- Past experience in assessment and design of controls, testing of controls and operational risk reviews
- Experience in a regulatory, treasury or banking risk function. Awareness of related banking regulations: SOX, BCBS 239, BIPRU, Basel 3, CRD IV / CRR
- Familiar with concepts of liquidity and capital management, familiar with liquidity and capital regulatory metrics
- Previous Business Analyst / Project management experience advantageous
10
Principal Auditor Technology Risk & Finance Resume Examples & Samples
- Coordinates delivery of assigned audits with limited supervision by the Principal Audit Manager and contributes to the successful delivery of risk-based audits both locally and globally within the Technology Risk & Finance area of the bank in line with Group Audit standards
- Translates identified exceptions into audit issues and supports agreement of these issues and clearance of the audit report with the relevant management
- Reviewing and tracking of open audit issues and validation of issue closure requests
- Pro-actively develops and maintains professional working relationships with the Technology Risk & Finance area
- Executes dynamic planning through continuous monitoring of areas under responsibility. Supports the identification of emerging risks and respective adjustments to the plan
- Maintains business and process knowledge and seeks to keep up to date with best practice, new developments and changes in the market. Provides training and advisory services to other auditors on technical areas of expertise
- Providing subject matter expertise together with the team and maintain relationships with other audit teams to support integrated, efficient and comprehensive coverage of related key risks
- Supports the Principal Audit Manager in preparing senior management and Control Group briefing packs
11
Risk & Finance IT Regional Lead India Resume Examples & Samples
- Drive the department’s India strategy and target operating model
- Represent RFIT in all regional and country governance bodies
- Facilitate the department’s strategic transformation in India, including deployment planning etc
- Act as senior stakeholder in vendor governance & management processes and initiatives
- Act as regional lead for the department’s HR, talent management and lateral recruiting activities
- Provide regional oversight for risk, compliance, and audit topics
12
Risk / Finance Resume Examples & Samples
- Market Risk application suite developed on the Athena platform
- Chronos - Time Series Management
- Ares - Var calculation
- FSI Stress
- Stress Framework
- Market Risk Capital
- Develop a specialization and expertise in various Securities and Derivatives products, market data & time series, risk applications
- Act as first point of contact to diagnose and resolve issues raised by the business as part of the global operate team
- Liaise with colleagues and other teams within the technology group to drive enhancements to technology requested by the business
- Understand the batch flow and application flow end to end and be able to support the batches, drive improvements and automate manual procedures
- The role involves a high degree of interaction with the users in addition to building close relationships with other areas of the investment bank including Risk Management, Quantitative Research, Corporate Controllers, Business Analysts and Application Development teams
- The successful applicant must possess a basic knowledge of Derivatives or Securities and understand the concepts of risk management and the applications used
- Exposure to industry wide market data technologies
- Experience in working with industry standard monitoring technologies such as Geneos or Nagios and scheduling systems such as Control M or Autosys
- 3 – 5 years experience with Unix/Linux or similar command line environment
- Ability to do basic development (build small tools and investigate some problems in Java and/or Excel/VBA)
- Intermediate to advanced experience in using SQL, Perl, Python and or any other scripting language on a daily basis and appreciation of the concepts of relational databases
- They will have good interpersonal skills and be able to rapidly understand and retain knowledge of business processes and the technology systems
- Experience of communicating problems and issues concisely to senior business and technology leads
- The successful applicant is most likely to be a high achieving graduate with a solid degree in a numerate subject (e.g. mathematics, engineering, computing science) and keen to develop a career in a world class investment bank with an intimate exposure to a front office environment and or risk and product control exposure
- Previous experience of an investment bank trading/risk management environment, with knowledge of financial products and markets
- Previous experience in supporting finance workflows and an understanding of IB Pnl process across asset classes
- Prior experience in a client facing role
- The successful individual will be a self-starter who is confident and highly motivated to succeed
- Ability to comfortably use a number of different technologies to analytically resolve complex issues
- Ability to take ownership of a myriad of issues and see them through to resolution
- Ability to take ownership of an issue and see it through to resolution
- Ability to prioritize work load, multi task and react quickly to meet business expectations
- They will have excellent IT skills and be able to apply this experience to investigate system flows and complex product issues from trading, pricing, risk to P&L analysis
13
FRD Risk & Finance Systems Initiatives Program Manager Resume Examples & Samples
- Bachelor's degree or equivalent work experience, Master's degree a strong plus
- Proven knowledge of SDLC, Agile development and familiar PMO methodologies
- 10+ years of extensive experience with large/complex implementation, migration and decommission in financial services industry
- Experience working in the Technology as well as Finance organization to understand both the business needs and Technology limitations
- Good analytical skills with the ability to identify problems and recommend solutions
- Detail oriented with the ability manage multiple projects
- Excellent verbal and written communication skills and ability to interact with senior managers
- Knowledge of Citi systems such as Pearl, FRS, Full Suite is a plus
- Experience with data map-gap analysis and extensive experience with data warehousing functionality ( i.e.: validations, enrichments, transformations and monitoring)
- Experience with Data Acquisitions
- Understanding of data models for financial products, including reference data
- Knowledge of financial products – detailed knowledge of product lifecycle/events a plus
- Understanding of Treasury and Consumer risk concepts
- Understanding of Regulatory reporting requirements - Basel etc
- Understanding of GL concepts and accounting terminology or prior experience implementing GL systems
- Strong understanding of, or the ability to quickly gain such, of applicable laws, accounting policy, and guidance in the subject area as well as the desire to keep up with changes in a complex environment
- BASEL – Risk weighted asset reporting
- CCAR – liquidity reporting
- Impairment calculations
- Statistical models
14
Data Service Tech Lead-ccb Risk & Finance Resume Examples & Samples
- Develop holistic data consumption, generation and distribution requirements within the CCB Risk & Finance technology roadmaps
- Develop end to end application implementation plan including business requirements, functional specification, development strategy, staffing requirements and integration with external components
- Provide strategic technology directions in order to ensure required level of functionality and performance expectations are met, and to manage risk, improve reliability, ensure compliance with risk policy and audit requirements
- Provide hands-on guidance in implementation of chosen technology stack
- Ensure quality of deliverables, set development standards in areas of code quality, test coverage, monitoring, logging, exception management, and others
- Collaborate and build relationships with other development teams, operate and operations partners, and business clients
- Establish and regularly manage financial and staffing plans to deliver on schedule and within budget
- Establish and regularly update, multi-year strategic target state platform
- Drive annual planning process
- Bachelor’s or higher degree in Computer Science or related field
- Over 7 years of relevant end to end development life cycle experiences with primary focus on data management including, but not limited to, data warehousing, data distribution, data modeling and data quality management
- Experiences in consumer banking industry a major plus
- Solid experience with analytical and reporting tool development (e.g. pricing or risk management platform, what-if analytics, rules-based platform, SAS, BI, etc.)
- Strong technical skills (J2EE, database, “big data”, modeling and design)
- Strong dedication, innovation and drive for excellence
- Experience managing offshore/onshore model and mentoring less experienced team members
- Strong project management and team management skills e.g. planning, budgetary control, people management etc
- Ability to lead, delegate, motivate, and support resources to achieve high delivery demands
- Strong communication, negotiation and presentation skills
15
Interest Rate Risk-finance Manager Resume Examples & Samples
- Run and maintain the Market Value Portfolio Equity model, including model monitoring of the yield curve regime model
- Support Interest Rate Risk modeling through various monthly processes, including reporting, back testing and backup of key models
- Eight to ten years of experience in financial analysis activities
- Must be able to process, analyze and interpret data and work under tight time deadlines - multiple projects
- Access/SQL/SAS
- QRM a plus
16
Senior Manager Operational Risk Finance Resume Examples & Samples
- Facilitation and Coordination: Risk & Control Self-Assessments and Key Risk Scenarios
- Monitoring & Reporting: Risk profile and control gap remediation
- Advisory: Risk event root-cause analysis, control environment enhancement and operating model refinement (1st and 2nd line)
- Combined Assurance:Project coordination, governance monitoring and reporting on combined assurance deliverables
17
Manager, Risk-finance Resume Examples & Samples
- Providing risk and regulatory analysis, advice and insight to management, wealth boards and executive committees
- Engaging with the business to assess risks related to business and regulatory change management and implementation
- Assessing effectiveness of treasury risk management in Wealth including capital, funding and liquidity management, license/regulatory compliance and outsourcing/off shoring management
- Leading and developing oversight and deep dive reviews to tackle major risk issues & opportunities across the business
- Providing subject matter expertise on all enterprise risks impacting Finance
- Ability to communicate, engage and influence a range of stakeholders across the group
- Well-developed understanding of risk management principles
- Demonstrated experience within a finance environment or a business risk role in finance
- Solid understanding of unit pricing, external reporting, treasury and review of legal opinions and regulatory material
- Degree qualifications in Finance or commerce ideally complimented with a CA or CPA designation
- Clear ability to operate in an autonomous role while collaborating with team and external stakeholders in a proactive manner
18
Corp Risk Finance Analyst Resume Examples & Samples
- Risk Financing - Supports the insurance and risk financing integration of all financial planning, accounting, and actuarial data to develop effective risk finance planning models and ensure accurate GAAP and statutory accounting
- Captive Management - Works with three captive management teams in different domiciles to ensure accounting accuracy and financial statement integrity
- Risk/insurance accounting policies and practice - Represents CRM in risk financing/accounting issues with Program Offices Financial Reporting, Program Offices Accounting, Property Accounting, regional accounting departments, insurance brokers, captive managers and various Treasury functions. Ensures accurate GAAP and statutory accounting as required
- Loss Control Initiative Investing - Manages the financial analysis, evaluation (cost/benefit), integrity, tracking and reporting of major patient safety investment initiatives. Ensures policy compliance
- SOX Compliance - Responsible for ensuring SOX compliance of key controls and relevant policies and procedures
- Minimum five (5) years of Treasury or related business experience
- Degree emphasis in business, treasury or finance preferred
19
Senior Program Manager Risk & Finance Specialization Resume Examples & Samples
- Defining key initiatives to ensure the bank is in line with regulatory expectations and industry best practices
- Driving the delivery of key initiatives from design through to delivery including development target end state of business processes and adoption of technology solutions
- Ensuring target end state is delivered inclusive of governance changes, business process re-design and appropriate controls
- Leading the translation of business needs into technology solutions and data requirements
- Working across functions and legal entities to structure the work-efforts required for successful delivery
- Understanding cross-functional impact of proposed technology solutions and identifying areas of efficiency
- Providing appropriate information share and updates with senior management and other key stakeholders
- Oversight of program and project level resources including those provided by 3rd party providers
- Management of the career growth of Mizuho employees who are under direct supervision
20
Credit Risk Finance Manager Resume Examples & Samples
- Collaborate with cross-functional teams in conjunction with budgeting and forecasting process
- Manage business relationship on behalf of the broader Finance organization and Leadership
- Lead and drive collection strategies to resolve outstanding debt, providing comprehensive oversight of workouts, legal accounts and bankruptcies within a strong scope of compliance
- Assess the financial health and credit-worthiness of potential clients. Oversee team performance. Sustain collaborative relationships with key internal and external partners
- Hire, train, supervise, coach and professionally develop team members
- Conduct meaningful team meetings, individual coaching and development meetings and team/individual assessments
- Anticipate customer needs and proactively develop solutions to meet these needs
- Maintain a positive work environment that supports a quality driven team, identifying and solving issues that may inhibit individual or team performance
- Provide support to complete system enhancements and other process improvement projects by identifying improvement opportunities, understanding and testing system upgrades, and working collaboratively with the team to implement changes
- Partner with internal leaders, customers and/or vendors to provide excellent service and improve on financial outcomes across the enterprise
- Maintain, evaluate and improve upon existing processes, procedures, reporting practices and assessment tools, using beneficial communication while understanding the needs of the end user
- Produce clear, well-formatted reports that communicate a comprehensive and compelling message about the status of our work and our clients
- Independently represent the business internally and externally with legal counsel, consultants, brokers and senior management
- Ensure education of and compliance with the security and compliance procedures of UHC, as well as specific legislation as it relates to collections, bankruptcy and workouts
- Participate in UHC programs such as our internship initiative, as well as community volunteering programs as assigned
- Bachelor's degree in Accounting, Finance, or a related field
- 5+ years of experience in commercial and/ or individual collections
- 5+ years of financial analysis and/ or financial review
- 5+ years of team leadership experience managing people in a fast paced environment
- Advanced skills in MS Office (Powerpoint, Excel, Outlook)
- Progressive work experience in a financial field
- Experience working in a matrix environment while positively influencing and collaborating with other functional areas
- Access experience
- Bankruptcy experience
- Experience in a health-care related industry
21
Rfit / Risk & Finance IT Data Management Resume Examples & Samples
- Assist projects in creating solutions that align to the broader Risk and Finance IT strategy of reducing complexity, lowering TCO and increasingly aligning data and controls across the functional silo's
- Maintain the forward looking architecture views and roadmaps that clearly articulate to our stakeholders how the Data Management capabilities will adapt and evolve to the changing internal and external drivers of CRO & CFO
- Implement the appropriate level of on-going Architecture governance process to ensure that Data Management solution and supporting capabilities are properly aligned with the CRO and CFO Design Authorities
- Identify opportunities to demonstrate the technologies, capabilities and services of the Data Management horizontal, Credit Suisse generally and across the wider FinTech and FenReg in support of Risk and Finance IT’s strategic goals
- Seek out opportunities to advance the RFIT strategy be a visible and active advocate for the strategy and support the project team in their delivery of it
22
Risk & Finance Auditor Resume Examples & Samples
- Up to ten to twelve years plus experience in financial services with a preference for those with at least five years audit experience in a bank or broker / dealer regulated environment
- Candidates should have experience in capital markets industry, ideally including experience in audit or a related field. An appreciation of an internal audit function and the processes followed is strongly preferred
- Knowledge of Securities Industry regulations
- Proven operational experience in managing and directing geographically dispersed audit team members
- Candidates should have experience in the management of teams with various experience levels and achieving results within established deadlines
- Understands how Internal Audit integrates within the overall organization to contribute to achieving business objectives
- Provides evaluative judgment based on analysis of factual information in complicated, unique and dynamic situations; draws on diverse range of internal and external sources
- Influences and negotiates with senior leaders across functions
- Solid report writing skills
- A degree in a business discipline (e.g., finance, economics, accounting)
- ACA/FCA, CIA and/or FRM qualifications a plus
23
Accounting Manager, Risk Finance Resume Examples & Samples
- Manage the accounting activities of Marriott’s global casualty insurance programs, including multiple insurance allocations and accident chargeback mechanisms to ensure that program funding is accurately captured and recorded
- Lead efforts to gather, analyze and prepare information used by finance executives to govern various cost and funding aspects of the Risk Management insurance programs
- Manage cash management activities for Marriott’s procured insurance programs, including the administration of $100M in annual casualty insurance claim payments, recording and reconciling third party claim payments, and coordination of all wire transfer activity
- Oversee the annual property insurance allocation process, partnering with the Insurance group on program structure, renewal, payment, and fees to ensure all program costs are properly accounted for and allocated appropriately
- Partner with the Insurance and Claims functions to document major property insurance events including the development of tracking schedules to accurately monitor the status of property loss reimbursements from insurers
- Manage the preparation of the annual international excess allocation, partnering with the Insurance group on program rate structure, renewal premiums, loss funding, and fees to ensure all program costs are properly accounted for and allocated appropriately
- Coordinate periodic maintenance billing for units entering and/or exiting the various programs in the middle of a policy year
- Lead annual allocations for the storage tank liability, D&O, and cyber insurance programs, including processing invoices and ensuring proper accounting
- Own and drive resolution of complex, non-routine business requests
- Maintain a strong internal control environment and ensure all accounts are reconciled timely and accurately
- Develop and review documentation of current accounting policies and procedures and initiate possible updates or improvements
- Complete special projects as requested, including departmental technology initiatives and reporting needs
- Minimum 5 years’ financial management experience in a global organization with increasing management responsibility including complex data analysis and financial modeling
- Risk Management or Insurance related background helpful
- Able to lead and manage multiple projects simultaneously; ability to translate business needs into operational financial management priorities
- In depth knowledge and understanding of MI business model and management and franchisee contracts
- Operates with a collaborative mindset to ensure that key stakeholders are considered, eliminating the need for duplicate systems; builds strong relationships to leverage information and insights to anticipate and respond to project risks; communicates well with project and other leaders; openly shares and does not withhold information
- Demonstrated ability to formulate creative solutions for complex business issues, mitigating risk and maximizing stakeholder satisfaction
- Strong leader of people – ability to create compelling vision, demonstrate flexibility in approach, and motivate others (to achieve desired results; ability to work in a matrix organization and make things happen without having to own all of the resources; leverages shared resources to achieve results
- Strong interpersonal skills; must be a successful “networker” and able to maintain effective relationships, both internally and externally
- Communicates effectively, both orally and in writing; listens to others and effectively comprehends information; creates an environment allowing timely information flows throughout the organization
24
Director, Risk Finance Resume Examples & Samples
- To reduce workers’ compensation costs by providing insightful information to stakeholders in easy to use format
- Validate the effectiveness of Risk Controls efforts to reduce claim frequency, severity and charges to the customer
- Perform enterprise wide risk assessment; financial risk modeling and capital management
- Designs, implements, tracks and improves analytical models
- To develop proper information systems and reporting methods to measure success in risk management operations
- To support upward reporting to senior management and the Board on the implementation and results from our risk management program
- Ensure company incentive systems and customer pricing strategies appropriately address the risk and related cost of workers compensation
- The management of our RMIS system data base and all software feeds and departments associated with it. To participate in the development and implementation of the strategic vision for risk management
- To participate in mergers and acquisitions at the earliest stages for a Go/No Go recommendation due to Workers’ Compensation Expense